Barrick Mining

ABX · TSX · CAD

$57.41Change from previous close: +0.75%Absolute change: +$0.43

Close · October 2, 2026

At a glance

Revenue growth
+31.22%
2025 vs 2024
Net income growth
+132.88%
2025 vs 2024
Net margin
29.4%
2024: 16.6%

Financial data

Amounts in millions of USD; per-share values in USD; shares in millions.

Cash flow · Annual
Item2025202420232022202120202019201820172016
Operating cash flow7,6894,4913,7323,4814,3785,4172,8331,7652,0652,640
Depreciation and amortization2,0031,4102,3982,5172,1621,8321,6741,8221,3701,542
Capital expenditure-3,821-3,174-3,086-3,049-2,435-2,054-1,701-1,400-1,396-1,126
Investing cash flow-1,236-2,764-2,816-1,711-1,897-1,28650.0-1,494-337-412
Financing cash flow-3,823-1,795-1,205-2,604-2,388-2,254-1,139-925-1,886-2,297
Dividends paid-890-696-700-1,143-634-547-548-125-125-86.0
Share repurchases-1,500-4980.0-424-750—————
Debt issued—52.065.017713142.0———5.0
Debt repaid-35.0-14.0-56.0-395-27.0-379-309-687-1,533-2,062
Effect of exchange rates2.0-6.0-3.0-6.0-1.0-3.0-1.0-9.03.03.0
Net change in cash2,632-74.0-292-84092.01,8741,743-663-155-66.0
Free cash flow3,8681,3176464321,943—————
Levered free cash flow4,0549599268852,1183,5557999211,4532,324